COURSE AUTHOR –
Robert (Bob) Steele
1. How to set up bank feeds for both bank accounts and credit card accounts
2. How to set up Wave Accounting
3. How to add transactions and assign proper general ledger accounts to them
4. How to do bank reconciliations
5. Understand the difference between a bank reconciliation when using a cash basis and accrual basis
6. Record transactions from two accounts that use bank feeds like a credit card account and a bank account